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Associate Investment Manager – Structured Credit & Asset-Backed Portfolio

Job in Greater London, London, Greater London, W1B, England, UK
Listing for: Omni Bridgeway
Full Time position
Listed on 2026-07-04
Job specializations:
  • Finance & Banking
    Portfolio & Asset Management, Financial Analyst, Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 65000 - 85000 GBP Yearly GBP 65000.00 85000.00 YEAR
Job Description & How to Apply Below
Location: Greater London

Associate Investment Manager – Structured Credit & Asset-Backed Portfolio

Location:

London
Job Type: Permanent / Full-time
Company:
Omni Bridgeway

About Omni Bridgeway

Omni Bridgeway Limited is a publicly listed company on the ASX (ASX:OBL) and a global leader in legal finance, with professionals around the world managing a diversified portfolio of legal assets. We work with individual claimants, law firms, corporations, sovereigns and multilateral institutions, assessing investment and enforcement opportunities across Africa, Asia, Australia, Canada, Europe, Latin America, the Middle East, the UK and the US.

About

the Role

The Associate Investment Manager role sits within the asset-backed / structured credit strategy, which invests in secured facilities collateralised by large, structured portfolios of consumer and corporate legal claims, where the underlying asset is the contingent legal receivable arising from individual litigations. The Associate Investment Manager supports the Portfolio Manager across the full investment lifecycle: actively monitoring live investments against modelled returns, key assumptions and deal covenants;

building and maintaining financial models; assisting with underwriting and structuring new transactions.

The role combines active portfolio management, structured-credit analysis, financial modelling, legal and economic assessment, counter party and defendant credit‑risk analysis, and deal structuring and negotiation. It requires strong commercial judgement and clear, accurate written and oral communication with internal stakeholders, external investors and counter parties. The Associate Investment Manager will continue to deepen their understanding of legal finance, structured credit and risk management within the context of the role and investment strategy.

Key

Role Responsibilities

Primary Responsibilities

Asset Management and Monitoring
  • Monitor and manage live investments against modelled returns, key assumptions, borrowing-base / advance-rate tests and deal covenants, identifying variances and escalating issues on a timely basis.
  • Track portfolio performance, cash collections, waterfall and cash-sweep mechanics, and maintain watchlist, impairment and fair-value assessments in conjunction with the Finance team.
  • Provide instructions and act consistently with the relevant facility documentation; review amendments, waivers and settlement or enforcement decisions with a view to protecting Omni Bridgeway’s position.
  • Maintain robust records, data and management information to support accurate internal and external reporting.
Reporting
  • Prepare and contribute to reporting to internal stakeholders, fund investors, and management, including performance updates, portfolio analytics and ad-hoc analyses.
  • Support the Capital Formation team with investor-facing materials and queries relating to the strategy and portfolio, where required.
  • Monitor relevant legal, regulatory and macroeconomic developments across applicable jurisdictions and assess their impact on the portfolio.
Leadership and Collaboration
  • Work constructively with the Portfolio Manager, Investment Managers, Pricing & Structuring, Finance and Capital Formation teams, adopting a ‘team-first’ mindset.
  • Build and maintain strong relationships with external counsel, borrowers, brokers and other counter parties.
  • Contribute to internal meetings, knowledge management and the development of reusable analytical frameworks and templates; support and guide junior colleagues as appropriate.
  • Uphold confidentiality and compliance obligations at all times.

Secondary Responsibilities

Underwriting and Origination Support
  • Conduct legal, financial and economic analysis of new investment opportunities, including assessment of claim merits, the relevant legal and regulatory framework, and routes to monetisation or recovery.
  • Perform counter party and defendant credit‑risk analysis, including assessment of borrower and obligor creditworthiness, capital adequacy, provisioning and ability to satisfy claims.
  • Build, maintain and stress-test financial models covering fair value modelling, Monte Carlo analysis, scenario modelling and analysis, cohort/vintage performance,…
Position Requirements
10+ Years work experience
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